Episodes
In this episode, Dudley Baker discusses the nuances of investing in stock warrants, especially within the mining and precious metals sectors. With over 20 years of experience, Dudley explains the importance of diversification and not investing all your money in stock warrants. He details his background in accounting and how it aids his investment strategy, focusing on companies with potential for high returns, like 10x or 50x. Dudley also emphasizes the significance of insider buying and a...
Published 10/15/24
In this episode, we explore the latest developments at Olympic Precious Metals as they aim to complete their first copper acquisition this October without needing additional capital. The company’s favorable structure for investors focuses on minimizing dilution and achieving major milestones over a long-term period. The next three to six months are crucial, as they seek to secure their second and third assets, resembling their successful gold project in Mongolia. They plan to go public soon...
Published 10/15/24
In this episode, Andy connects with Keith Schaefer to discuss the current state of metal prices and gold’s position as a hot commodity. Keith provides insights into the junior mining sector, focusing on the importance of management quality and share structure when evaluating mining investments. They discuss the potential of companies like Luca Mining and Calibre Mining, highlighting key catalysts for a promising stock re-rate. Additionally, Keith shares his views on the oil and gas market,...
Published 10/15/24
In this episode, host Dan Welch delves into the complexities of the Ukraine-Russia conflict as of October 11, 2024, discussing how this has been an American war against Russia, with implications of a potential nuclear confrontation. Welch criticizes the lack of honesty from global media and governments, highlighting discrepancies in narrative around Ukraine’s struggles and the U.S.’s involvement. He emphasizes how truth manipulation, akin to public relations tactics, affects public perception...
Published 10/15/24
In this engaging discussion, analyst Bill Holter shares insights on current global financial instability, societal challenges, and geopolitical tensions. Key topics include the BRICS meeting, the potential manipulation of financial markets, and the importance of gold and silver in global economics. Holter provides a critical analysis of past events, from 9/11 to COVID-19, and their impact on societal rights and government actions. He discusses potential scenarios leading to currency and...
Published 10/15/24
In this episode, Andy Schectman and Andy Millette disccus Russia’s unprecedented announcement to begin stockpiling platinum, palladium, and silver, marking a pivotal moment as no other country has explicitly declared intentions to accumulate silver for reserves. The conversation covers the strategic moves by China and India in accumulating silver and gold, often outside traditional Western exchanges. It delves into the broader implications for global economics, including the upcoming BRICS...
Published 10/15/24
In this engaging episode, Andy and Dennis discuss the current dynamics across different markets. They start with the stock market’s potential correction as signs suggest a high probability of a pullback due to the unusual rise in the VIX, indicating concerns about upcoming volatility. Dennis shares his strategy of buying puts for November, both as a speculative trade and a hedge, and discusses broader economic and geopolitical factors impacting market uncertainty. The conversation then shifts...
Published 10/15/24
Simon Hunt discusses the escalating geopolitical tensions focusing on potential conflicts in the Middle East involving Iran, Israel, and the larger implications for U.S. elections and NATO’s strategies against Russia. He explores strategic alliances among BRICS nations and their impact on global markets, the likely revaluation of gold, the future of commodities, and the potential systemic collapse due to rising U.S. inflation rates. The conversation also touches upon China’s and India’s...
Published 10/14/24
In this episode, hosts Andy and Oliver Friesen CEO of Guardian Metal Resources discuss the potential implications of China’s export bans on strategic metals like antimony and speculated future bans on tungsten. With approximately 86% of the global tungsten supply coming from China, the experts foresee significant geopolitical and economic challenges if export restrictions occur. The episode delves into the strategic importance of tungsten in the defense industry, the U.S. struggle to secure...
Published 10/14/24
In this episode, Keith Weiner discusses the implications of recent Federal Reserve actions, particularly in the context of expected defaults in commercial real estate and corporate debts. He critiques the Fed’s past and present approaches to interest rates and highlights the risks posed by the growing number of ‘zombie’ companies. The conversation covers how global economic dynamics, like those in China, Turkey, India, and the Arab world, influence gold markets amidst rising deflationary...
Published 10/14/24
In this video, Kevin Steuer discusses the current trends and market dynamics affecting crude oil, the impact of recent Federal Reserve decisions, and the influence of global supply chain issues on inflation. The conversation covers the potential politicization of the Fed, bond market volatility, and trading indicators such as the move index and ten-year yields. Kevin shares insights from his proprietary models on commodities like oil, gold, and silver, as well as strategies for risk...
Published 10/14/24
In this episode, Andy hosts Adam Hamilton to discuss the recent rally in gold prices, which are reaching all-time highs. They dive into the reasons behind this surge, including the impact of central bank fiat currency injections and global investor interest. Adam shares his short-term bearish outlook on gold due to its extreme overbought condition and the heavy leverage by speculators in the futures markets, which could lead to a corrective pullback. The conversation also touches on the role...
Published 10/14/24
This episode delves into the strategic implications of recent tensions involving Israel, Iran, and their impact on global oil supply. The discussion highlights the concept of ‘controlled escalation’, examining potential reactions from Israel and Iran, particularly concerning attacks on oil fields and nuclear facilities. The video explores the feasibility of such military actions, considering deeply buried targets and sophisticated air defense systems like the Russian S-400. Furthermore, it...
Published 10/14/24
In this episode, Lobo Tiggre and Andy discuss the rationale behind gold being the top investment choice for 2023, following uranium in 2022. We dive into the impact of current global conflicts on financial markets and the importance of safe-haven assets like gold. Lobo shares insights on why gold isn’t overbought and could see further gains. We also cover the potential for future uranium investments, the challenges posed by geopolitical events, and perspectives on other commodities like...
Published 10/14/24
In this episode, we dive deep into the complexities and current trends in the oil and commodities markets with Ben Kelleran. We discuss why oil may no longer be trading based on fundamentals, the impact of election cycles on oil prices, and the potential of investing in coal, precious metals, and offshore oil services. Ben also shares his thoughts on uranium, fertilizer stocks, and the agricultural sector. Tune in to hear about his unique investment strategies and perspectives on future...
Published 10/10/24
In this episode clip, Tom Luongo and Andy Millette explore the intricate web of geopolitical strategies spanning from European colonialism to the modern-day conflict between Russia and Ukraine. The discussion delves into how Europe historically acquired resources through colonization, the impact of World War II, the Cold War era’s focus on Russia, and the role of color revolutions. The narrative also connects these strategies to the current financial and political stakes in the Russia-Ukraine...
Published 10/10/24
Impending Stock Market Breakdown: Technical Analysis and Predictions In this video, Michael Oliver delves into the technical indicators suggesting a potential breakdown in major stock indices like the S&P 500 and NASDAQ 100. The discussion draws parallels with the 1987 market crash, highlighting troubling patterns in quarterly momentum charts. Additionally, the video examines the implications for asset managers and central bank actions, and explores alternative investment opportunities...
Published 10/10/24
In this episode, Andy hosts Patrick Karim, who provides an in-depth analysis of the current market trends for gold and silver. Patrick discusses the bullish trends in gold across various timeframes, explains the importance of understanding moving averages, and emphasizes the potential for corrections. He provides detailed charts and technical indicators to support his views. The conversation also covers the significant long-term setup for silver and the potential for a breakout. Additionally,...
Published 10/10/24
In this episode, Andy and market expert Michael Oliver discuss the anticipated significant upward trends in gold and silver prices. They delve into technical reasons for the potential surge, examine the performance of miners, and explore the dynamics of various markets including bonds, the dollar, and the stock market. Michael shares his views on market movements, suggesting that asset managers might shift investments, seeing T bonds and gold as more stable options. The episode also touches...
Published 10/10/24
In this episode, Andy Millett engages in a deep discussion with Michael Pento about the recent rate cut by the Federal Reserve and its implications for the U.S. economy and asset markets. They analyze the potential outcomes for inflation, growth, and asset prices, comparing scenarios like Japan’s stagnation and Zimbabwe’s hyperinflation. Michael shares his macroeconomic insights and investment strategies, emphasizing the impact of economic policies on the middle class and how investors should...
Published 09/23/24
In this in-depth discussion, financial experts delve into the recent changes in the macroeconomic environment and their impact on gold prices. The conversation highlights the effects of the recent Fed rate cut and analyzes why gold historically surges during rate cut cycles. They explore the unexpected strength of gold and silver, despite the previous non-conducive environment, driven by central banks and global investors’ shifting focus. Additionally, they discuss the undervaluation and...
Published 09/23/24
Join Andy and guest Don Durrett as they delve into the intricacies of the gold and silver markets. Discussing recent news, market trends, and investment strategies, Don shares his expertise on how to navigate the economic landscape. Topics include the recent performance of Andean Silver, Fed decisions’ impacts on the market, the debt situation in the U.S., and what investors should expect by 2027. Don also highlights stocks to watch and offers advice on investing in the mining sector. Don’t...
Published 09/23/24
In this episode, Andy interviews Alex Krainer, a financial analyst and author, who outlines his perspective on Britain’s looming financial collapse. Krainer delves into geopolitical factors, the economic impact of the COVID-19 pandemic, decarbonization measures, and uncontrolled immigration. Discussing the British government’s massive financial misallocations, austerity measures, and Project Ukraine, Krainer predicts severe financial fallout that will extend beyond the UK to Europe and...
Published 09/21/24
In this episode, Bob Moriarty of 321gold.com discusses complex global geopolitical issues, including potential military action by China against Taiwan, the escalating tensions in Ukraine, and the intricate political landscape surrounding Donald Trump’s legal battles. Moriarty critiques the current state of the U.S. military and intelligence services, examines the influences of NATO, Russia, and China, and offers a drastic perspective on how these dynamics could lead to World War III. A...
Published 09/20/24
In this episode, David Morgan from The Morgan Report discusses a wide range of topics including the escalation of the Russia-Ukraine conflict, NATO’s involvement, and the broader implications for the U.S. economy. He shares his views on geopolitical tensions, particularly regarding China and Taiwan, and explores the potential for economic shifts depending on the global political landscape. David provides an in-depth analysis of the precious metals market, focusing on gold and silver, and...
Published 09/20/24